0-200% Exposure – In times when the market looks stressed and oversold, the Asset Manager has the possibility to increase Alfa Aktive’s exposure.

Alfa Aktiv invests in the Swedish OMX-index or similar benchmark baskets. The position on the stock market alternate from 0–200 %.

MANAGEMENT – BENGT LINDBLAD

Alfa Aktiv is managed by Bengt Lindblad, Alfakraft Fonder. Bengt has over 15 years of trading experience. The models used by the fund manager are both fundamental and technical.

Risk

As an investment in the Fund is to be considered long term, it is not possible to predict the short term development of the Fund´s unit value. The value of an investment in the Fund may both rise and fall. Thus, an investor in the Fund may, when redeeming the units, get back less money than he had invested.

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